Experience – 3 year+
Keyskills – Operation Management, Team handling, Team management, Advance Excel, Client communication, Excellent communication
– Checking the PF & ESIC data which is received from client.
– Having Exp of Team leading and Team Management
– Prepare exceptional report & send to client for confirmation or missing details.
– Update the data as per client’s reply to the exceptional report.
– Generate PF & ESIC Challan & sent to clients.
– Do the PF & ESIC Challan calculation (break-up sheet for separate A/C under Both Challan)
– Prepare Cost center & summary report & send to client.
– Prepare different uploading files for uploading to E-Sewa (E.P.F.O portal) & Trust-e software (VSPL).
– Also prepare monthly returns where required (form 4, 5, 6ps & statement IW-I).
– Preparation & checking of claim attachments for PF withdrawal & transfer cases.
– Update all details in claim MIS report.
– Make Investment & bank statement entries in Trust-e software.
– Make entries for settlement, transfer-in, and transfer-out & Loan transactions of employees for all trust PF, SA, Gratuity in Trust-e software.
– Update all the status on ESS web portal (with relevant acknowledgement copy) (trust-e).
– Queries handling related to claims & Challan for both PF & ESIC.
– Sent Bank Reconciliation on Daily basis.
Contact us on :02816190038/31